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Finance Lead - Treasury Financial Reporting

Job in Greater London, London, Greater London, W1B, England, UK
Listing for: Flutter Entertainment Plc
Part Time position
Listed on 2026-02-18
Job specializations:
  • Finance & Banking
    Corporate Finance, Financial Reporting, Financial Analyst, CFO
  • Accounting
    Financial Reporting, Financial Analyst
Salary/Wage Range or Industry Benchmark: 60000 - 80000 GBP Yearly GBP 60000.00 80000.00 YEAR
Job Description & How to Apply Below
Location: Greater London

Job Title – Finance Lead – Treasury Financial Reporting

Location – London/Dublin

Hybrid - 2 days per week (Dublin only)

Permanent

Flutter consists of two commercial divisions (Fan Duel and International) and our central Flutter Functions; COO, Finance & Legal. Here in Flutter Functions we work with colleagues across all our divisions and regions to deliver something we call the Flutter Edge. It’s our competitive advantage, our ‘secret sauce’ which plays a key part in our ongoing success and powers our brands and divisions, through Product, Tech, Expertise and Scale.

In Flutter Finance we pride ourselves in providing global expertise to ensure Flutter is financially healthy, utilising our Flutter Edge to turbo‑charge our capabilities.

About

The Role

Reporting to the Director of External Reporting and Technical Accounting, this role is a key part of the Group Reporting team. The Finance Lead - Treasury Financial Reporting oversees financial instruments under US GAAP and IFRS, including hedge accounting. This role manages all treasury financial instrument reporting and controls, including derivatives, hedge accounting, funding, and external financial reporting. Lead routine activities, ensure accuracy, compliance, and efficient control framework.

The ideal candidate will show excellent decision‑making skills and effectively assist the Director of External Reporting & Technical Accounting in identifying and addressing issues early.

What You’ll Do
  • Support the Group Treasurer, Group Director Tax, and Director of External Reporting & Technical Accounting by advising on treasury accounting, financial reporting, and controlling activities, assisting with funding and restructuring efforts, and formulating debt servicing strategies and policies, including transfer pricing considerations.
  • Take charge of all accounting matters associated with the Group’s financing activities, overseeing all technical accounting issues, including hedge accounting and debt issuance (Term Loan A, Term Loan B, and Senior Notes issued under rule 144A) in close partnership with the Head of External Reporting.
  • Take a vital part in building in‑house financial tools for a robust finance function and collaborative relationships with other departments.
  • Lead change activities for treasury accounting, advancing risk identification and developing mitigation plans promptly for desired outcomes.
  • Supervise the preparation and assessment of all financial reports related to treasury, encompassing activities like month‑end closures, quarterly and yearly reporting, and regulatory document submissions. This involves reporting on derivatives, hedge accounting, internal and external debt, and financing cash flows.
  • Support the Deputy Group Treasurer with budgeting of interest expense and income.
  • Support the Tax advisory team in understanding the accounting for financing transactions to facilitate transfer pricing of internal loans.
  • Offer perceptive analysis of budget versus actual treasury activities to senior management.
  • Collaborate with an external service provider to assist with the record‑keeping and booking of Dutch special purpose financing entities. Evaluate and question the outcomes to guarantee accuracy and thoroughness.
  • Supervise the hedge accounting process, guaranteeing adherence to US GAAP and reporting standards. This encompasses hedge categorization, paperwork, effectiveness evaluation, and disclosures.
  • Partner with external contractor(s) to secure accurate and timely valuations and reporting. Evaluate and scrutinise deliverables, ensuring they are complete and precise.
  • Develop and uphold a strong control structure for treasury financial reporting, ensuring SOX compliance and other regulations, addressing control gaps, and managing treasury systems and their control environments.
  • Streamline Treasury Finance operations through process improvement, role clarity, and better inter‑team communication.
  • Lead reporting on projects impacting treasury activities & SOX controls, incl. tax restructurings, new treasury instruments, group transactions, & tech/process changes.
  • Develop and maintain treasury reporting policies and procedures, ensuring alignment…
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